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Finance in a Global Context - Coggle Diagram
Finance in a Global Context
International Financial Markets
Impact of exchange rates on investment decisions
Role of international financial institutions (e.g., IMF, World Bank)
Interconnectedness of global financial markets
Foreign Exchange Markets
Foreign exchange risk management
Hedging strategies (e.g., forward contracts, options)
Currency exchange rates and fluctuations
Global Investment and Portfolio Management
Portfolio optimization techniques
Diversification across international markets
Assessment of country risk and political stability
Cross-Border Capital Flows
Capital controls and regulatory frameworks
Implications for economic growth and development
Foreign direct investment (FDI) and portfolio investment
International Trade Finance
Export credit agencies and trade finance facilitation
Trade finance instruments in supply chain management
Trade financing options (e.g., letters of credit, documentary collections)
Global Risk Management
Systemic risk and contagion effects across borders
Role of financial derivatives in managing global risks
Financial risk assessment and mitigation in a global context
Corporate Finance in Multinational Corporations
Financing options for multinational projects (e.g., debt vs. equity)
Transfer pricing and tax optimization strategies
Capital budgeting and investment decisions in global operations
Sustainable Finance and ESG Factors
Sustainable finance initiatives and green bonds
Corporate social responsibility (CSR) reporting and disclosure requirements
Integration of environmental, social, and governance (ESG) factors in investment decisions
Financial Regulation and Compliance
Compliance with anti-money laundering (AML) and counter-terrorism financing (CTF) regulations
Regulatory challenges and harmonisation efforts in a globalized financial system
Regulatory frameworks governing global financial activities